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Jobs in this finance category are charged with administering and supervising the management of organizational capital resources across a company such as Citi. Some key responsibilities include undertaking comprehensive evaluation, reporting, monitoring positions versus risk appetite, escalating and taking action accordingly. In addition, these roles are responsible for overseeing the risks associated with various financial assets including but not limited to interest rate, foreign exchange, equity, credit spread, and commodity risks. This role requires expertise in financial analysis and risk management to ensure the company's financial stability and profitability.
Job Responsibility:
Develop a risk management strategy for the Finance function, focusing on the identification, measurement, monitoring, and control of risks associated with the management of organizational capital resources across Citi
Ensure absolute compliance with all risk-related regulatory requirements, demonstrating a robust understanding of compliance standards and dedication to risk control
Conduct independent assurance reviews in risk management, identifying potential risks and recommending enhancements to the company's risk position
Devise and maintain risk policy and procedure governance documents, guaranteeing alignment with enterprise-wide risk identification, monitoring, and reporting roles and responsibilities
Enhance the governance structure of the organization for managing financial risks, including the measurement, monitoring, and control of risks associated with various financial asset positions
Monitor risk reports and indicators, identifying significant risk movements and promptly addressing potential financial risks to ensure the company's financial stability
Assist in consolidating and reviewing risk-related materials for various committees, guaranteeing precise risk measurement and reporting
Utilize effective communication skills to share insights and control risk-related information with senior stakeholders, management, regulators, and Internal Audit, contributing to Citi's financial stability and profitability
Contribute to the development of comprehensive controls and automation across the reporting process, ensuring consistent and accurate risk reporting
Foster a strong control environment within the team, driving a culture of high performance, compliance, and effective risk management in alignment with the company's financial analysis and risk management objectives
La persona en esta posición fungirá como Responsable del Middle Office para Afore Banamex, teniendo a su cargo los procesos de confirmación de operaciones, alta de instrumentos, registro y seguimiento de eventos corporativos, así como administración de garantías y colaterales
Requirements:
6-10 years of experience
Prior experience in Finance, Treasury, Risk or Audit functions is required
Experience managing large datasets and extrapolating insights for various risk metrics
Deep understanding of regulatory requirements and guidance, particularly for interest rate risk, liquidity risk and market risk
Strong Microsoft Office skills, particularly Excel and PowerPoint
Strong oral and written communication skills
comfortable making presentations and ability to articulate complex problems and solutions
Strong analytical skills and ability to review and comprehend large sets of data
Strong attention to detail with a proven ability to explain complex concepts in simple terms
Exceptional project management skills with a track record of managing complex cross-functional programs/projects and achieving milestones and deadlines
Conceptual thinker and problem-solver
Strong audit instincts and ability to apply independent judgment to business practices
Ability to independently manage work and drive multiple deliverables concurrently
Ability to effectively challenge first line and escalate issues when appropriate
Additional finance focused education or certification (CFA, CPA, FRM) will be beneficial
Mínimo 4 años de experiencia previa
Conocimiento de los mercados financieros,instrumentos financieros derivados, operaciones en directo, reporto, préstamo de valores, manejo de colaterales
Exp en interaccion con regulador y auditores
Microsoft office ( Excel
Ingles: comprensión y lectura
Lic terminada con titulo
Nice to have:
Experience with Tableau, SQL, SP&P CapIQ/SNL, or Bloomberg is a plus